Admissions
Admissions

District of Columbia, 1987

Education
Education

The University of Texas, J.D., with honors, 1986

Reed College, B.A., Phi Beta Kappa, 1981

Mark Srere is the Co-Leader of the Investigations, Financial Regulation & White Collar Practice Group. He defends individual and corporate clients in a variety of industries, including telecommunications, higher education, energy, and manufacturing, that are targets of criminal prosecution, from grand jury appearances to trial. Using the insight and knowledge gained through his criminal trial practice, he is ideally situated to counsel corporate clients on compliance issues and internal investigations.

For more than 30 years, Mark has worked with his clients to explain the challenges posed by intense government scrutiny and to develop strategies to survive the roller coaster ahead. He has a broad range of experience conducting internal investigations and the defense of criminal and civil actions involving accounting fraud, disclosure issues, internal controls and corporate governance, tax fraud, Foreign Corrupt Practices Act (FCPA) violations, Office of Foreign Assets Control (OFAC) and export/control concerns, Nuclear Regulatory Commission investigations, Drug Enforcement Agency issues and major fraud investigations. He has been involved in all aspects of the SEC’s enforcement program including the Wells process and the emerging issues surrounding the agency’s whistleblower programs and employee protections thereunder.

To avoid the back-end government complications, Mark also partners with his clients to understand their business operations and goals before drafting policies, implementing compliance programs and addressing due diligence issues that arise from mergers and acquisitions, hiring of agents and joint ventures, as well as designing training programs in the anti-corruption and whistleblower areas.

Mark is an adjunct professor at Georgetown University Law Center where he teaches International White Collar Crime. He is also a frequent author and speaker on a range of subjects related to white collar crime.

“The Program in Action: Audience Discussion of a Hypothetical Hotline Call and Investigation,” Westchester/Southern Connecticut Chapter of the Association of Corporate Counsel’s (WESFACCA) Building a Compliance & Ethics Program, November 18, 2008

“Assessing Ramifications and Ensuring Right Decisions Based on Investigation Results,” Corporate Investigations Program, May 20, 2008

Practices
Practices

Admissions
Admissions

District of Columbia, 1987

Texas, 1986

Education
Education

The University of Texas, J.D., with honors, 1986

Reed College, B.A., Phi Beta Kappa, 1981

Mark Srere is the co-leader of the global Firm’s Investigations, Financial Regulation & White Collar Practice Group. He defends individual and corporate clients in a variety of industries, including agri-business, finance, telecommunications, higher education, energy, and manufacturing, that are targets of criminal prosecution, from grand jury appearances to trial. Using the insight and knowledge gained through his criminal trial practice, he is ideally situated to counsel corporate clients on compliance issues and internal investigations.

For more than 30 years, Mark has worked with his clients to explain the challenges posed by intense government scrutiny and to develop strategies to survive the roller coaster ahead. He has a broad range of experience conducting internal investigations and the defense of criminal and civil actions involving accounting fraud, disclosure issues, internal controls and corporate governance, tax fraud, Foreign Corrupt Practices Act (FCPA) violations, Office of Foreign Assets Control (OFAC) and export/control concerns, Nuclear Regulatory Commission investigations, Drug Enforcement Agency issues and major fraud investigations. He has been involved in all aspects of the SEC’s enforcement program including the Wells process and the emerging issues surrounding the agency’s whistleblower programs and employee protections thereunder.

To avoid the back-end government complications, Mark also partners with his clients to understand their business operations and goals before drafting policies, implementing compliance programs and addressing due diligence issues that arise from mergers and acquisitions, hiring of agents and joint ventures, as well as designing training programs in the anti-corruption and whistleblower areas.

With more than two decades of experience related to the FCPA, Mark provides the full range of counseling for clients in anti-corruption compliance compliance areas, including drafting policies and implementing compliance programs that address not only the FCPA, but also other anti-corruption laws such as the UK Bribery Act and the OECD Anti-Bribery Convention. Mark also conducts internal investigations related to anti-corruption issues, counsels clients on disclosure issues and defends against government investigations.

He regularly addresses and presents on anti-corruption and anti-money laundering due diligence issues that arise from international business transactions, such as mergers and acquisitions, hiring of agents and joint ventures. Moreover, he has designed and taught training programs in the anti-corruption and anti-money-laundering areas.

Mark is an adjunct professor at Georgetown University Law Center where he teaches International White Collar Crime. He is also a frequent author and speaker on a range of subjects related to white collar crime.

Education
Education

AwardsAwards

This website will use cookies based on your browsing activity. This will enable you to have full access to all the features of this website. By using this website, you agree that Bryan Cave Leighton Paisner may store and access cookies on your device. View our Cookies Policy.
Close